Strategy Overview

We optimize SOL through a combination of liquid staking and capital-efficient deployment into
incentivized lending environments.

Core components of the strategy

Converting SOL into Solana LSTs 
(Liquid Staking Tokens)

Using these LSTs within incentivized lending markets to enhance capital efficiency

Deploying borrowed liquidity into additional incentivized lending markets

Triple Yield Stack

The SOL Yield Portfolio is structured as a triple yield stack built specifically for Solana.

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Native Staking Yield

Earned from Solana validators via LSTs, representing the base layer of yield on SOL holdings.

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Lending & Loop Yield

Generated from optimized collateral cycling and capital reuse, where LSTs and related positions are deployed into lending environments to earn additional yield on top of staking rewards.

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Protocol Incentives & Points

Exposure to emerging Solana-native protocols distributing points programs that may convert into tokens at TGE, creating additional APY and potential retroactive rewards.

Why It Matters

Solana’s high throughput and active incentive ecosystem create recurring opportunities for structured yield enhancement beyond simple staking. By systematizing access to LST-based strategies, incentivized lending, and protocol points programs, this portfolio transforms passive SOL staking into an actively optimized yield strategy.

Four-layer diagram illustrating structured multi-strategy allocation, transparent auditable infrastructure, no long-term lockups with full flexibility, and blending CeFi and DeFi allocation for maximized returns.

Designed For

Long-term SOL holders who want to enhance returns without abandoning their SOL exposure.

Investors seeking enhanced staking yield through capital-efficient use of LSTs and incentivized lending markets.

Users looking to capture ecosystem airdrop upside and protocol token launches via points and incentive programs on Solana.

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Blending CeFi and
DeFi allocation for
maximized returns

Weekly liquidity
windows

Automated allocation,
dynamic risk management
and rebalancing

Diversification through
delta-neutral and
hedged strategies